Reg CC
Check Cashing
Compliance
Foreign
Miscellaneous
100

$6,725.00 is made available right away when this type of item is presented.

What is a next-day availability item?

100

This is the dollar amount threshold that requires a Hold Harmless form to be completed.

What is $30,000?

100

Kristy Babington holds this compliance-related role.

Who is the BSA and Compliance Officer?

100

This is the process for handling non-Canadian foreign checks, such as from Europe.

What is make a copy for branch records and mail the check to FNBB for processing?

100

This is the maximum signing authority for Lead Tellers issuing cashier’s checks.

What is $100,000?

200

This is how long an account is considered "new" under the New Account Exception hold reason.

What is 30 days?

200

When a customer signs a check with an “X,” this is the required procedure.

What is two witnesses must sign below the mark to attest they observed the signature?

200

Monica Stevenson holds this role related to fair lending practices.

Who is the CRA and Fair Lending Officer?

200

This is the process for converting a foreign check amount.

What is post to the FNBB GL and review Netlink the next day to obtain the converted amount before posting to the customer’s account?

200

This is the window period for completing monthly audits on Vaults, TCRs, and ATMs.

What is a 5-day window from the previous month?

300

When using the Large Deposit Exception, this is the availability schedule for deposited funds.

What is $275 available immediately, $6,450 on the second business day, and the remainder on the seventh business day?

300

This is the expiration period for Crews Bank and Trust cashier’s checks.

What is they do not expire?

300

These three words make up the acronym BSA.

What is Bank Secrecy Act?

300

This is the fee for ordering or exchanging foreign currency.

What is $20?

300

Before cashing a savings bond for a non-customer, this step must be completed.

What is creating a CIF (Customer Information File)?

400

This is the standard hold time when a financial institution doubts the collectability of a check.

What is 7 business days?

400

When cashing a check for a non-customer, this is where you input the driver’s license information.

What is the "Enter Information" box at the end of the transaction?

400

This report is filed when a customer conducts cash transactions over $10,000 in one day.

What is a Currency Transaction Report (CTR)?

400

This is the threshold amount for providing immediate credit on a foreign item.

What is $25,000?

400

Lead Tellers should review this report daily regarding savings bonds.

What is the Bond Redemption Daily Report?

500

This amount is made available immediately when two cashier’s checks are deposited.

What is $6,725 for each cashier’s check?

500

This code is used when a teller rejects a check for negotiation.

What is the refusal code?

500

This term describes when a customer attempts to evade reporting by breaking up large transactions.

What is structuring?

500

Funds from a foreign check are delayed for this period if a hold is placed.

What is 4 weeks?

500

When processing a Cash Advance, this information is critical to include in the description field.

What is the customer’s name and/or account number?

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